300190 维尔利
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资510,5574.14%490,238438,549400,783218,920
投资性房地产0--0000
固定资产1,035,298-0.05%1,035,802720,999444,591520,255
在建工程64,337-13.31%74,216354,689841,963668,012
无形资产1,739,184-16.66%2,086,7852,134,0471,836,5481,695,662
商誉751,4960.00%751,496800,394973,215983,590
其他非流动资产326,3253.21%316,175221,324154,173225,420
4,427,198-6.89%4,754,7124,670,0024,651,2734,311,859

流动资产
货币资金553,080-14.13%644,053922,5361,116,656754,223
应收账款1,663,1911.20%1,643,3921,463,4811,768,3521,747,067
存货724,5672.52%706,776817,772750,592619,186
其他流动资产1,113,955-16.36%1,331,8452,032,1602,365,8072,380,686
4,054,793-6.27%4,326,0665,235,9496,001,4085,501,163

流动负债
短期借款1,120,521-13.33%1,292,7991,415,5171,240,616837,481
应付票据88,436-29.46%125,370330,853301,823353,690
应付帐款1,088,425-7.41%1,175,4751,197,3331,525,5581,372,747
其他流动负债584,636-24.39%773,229869,4361,164,0101,033,182
2,882,017-14.40%3,366,8743,813,1394,232,0063,597,100
流动资产净值1,172,77622.27%959,1921,422,8101,769,4021,904,063
资产总额减流动负债5,599,974-1.99%5,713,9036,092,8136,420,6746,215,922

非流动负债
长期借款769,575-5.34%813,011919,839705,033781,317
应付债券896,3061.96%879,100846,294811,496771,760
其他非流动负债286,140-12.42%326,722360,856382,665253,531
1,952,021-3.31%2,018,8332,126,9891,899,1941,806,608

总权益
    实收股本781,5940.00%781,589781,589781,588781,584
    储备项目2,743,690-1.61%2,788,7033,057,3543,602,8073,493,618
股东权益3,525,283-1.26%3,570,2923,838,9434,384,3954,275,202
非控股权益122,669-1.69%124,779126,881137,085134,113